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Content
2015, Volume 76, Issue C
- 124-140 Monetary policy, bond risk premia, and the economy
by Ireland, Peter N.
- 141-156 Selection and monetary non-neutrality in time-dependent pricing models
by Carvalho, Carlos & Schwartzman, Felipe
- 157-172 Personal bankruptcy law, debt portfolios, and entrepreneurship
by Mankart, Jochen & Rodano, Giacomo
- 173-190 Mortgage defaults
by Carlos Hatchondo, Juan & Martinez, Leonardo & Sánchez, Juan M.
- 191-207 Financial crises, unconventional monetary policy exit strategies, and agents׳ expectations
by Foerster, Andrew T.
- 208-229 Equilibrium matching and termination
by Wang, Cheng & Yang, Youzhi
- 230-243 Inflation and output in New Keynesian models with a transient interest rate peg
by Carlstrom, Charles T. & Fuerst, Timothy S. & Paustian, Matthias
- 244-263 Endowment structures, industrial dynamics, and economic growth
by Ju, Jiandong & Lin, Justin Yifu & Wang, Yong
- 264-283 What inventory behavior tells us about how business cycles have changed
by Sarte, Pierre-Daniel & Schwartzman, Felipe & Lubik, Thomas A.
- 284-298 The ins and outs of mortgage debt during the housing boom and bust
by Bhutta, Neil
- 299-315 The risk premium and long-run global imbalances
by Chien, YiLi & Naknoi, Kanda
2015, Volume 75, Issue C
- 1-20 Innovation, diffusion, and trade: Theory and measurement
by Santacreu, Ana Maria
- 21-34 Asset pricing with heterogeneous preferences, beliefs, and portfolio constraints
by Chabakauri, Georgy
- 35-53 Prices are sticky after all
by Kehoe, Patrick & Midrigan, Virgiliu
- 54-68 Margin regulation and volatility
by Brumm, Johannes & Grill, Michael & Kubler, Felix & Schmedders, Karl
- 69-88 World food prices and monetary policy
by Catão, Luis A.V. & Chang, Roberto
- 89-105 Financing constraints and unemployment: Evidence from the Great Recession
by Duygan-Bump, Burcu & Levkov, Alexey & Montoriol-Garriga, Judit
- 106-122 Worker search effort as an amplification mechanism
by Gomme, Paul & Lkhagvasuren, Damba
- 123-137 On the global supply of basic research
by Gersbach, Hans & Schneider, Maik T.
2015, Volume 74, Issue C
- 1-15 Capital controls and optimal Chinese monetary policy
by Chang, Chun & Liu, Zheng & Spiegel, Mark M.
- 16-32 Home equity, mobility, and macroeconomic fluctuations
by Sterk, Vincent
- 33-51 Bubbles, banks and financial stability
by Aoki, Kosuke & Nikolov, Kalin
- 52-66 Noisy information, distance and law of one price dynamics across US cities
by Crucini, Mario J. & Shintani, Mototsugu & Tsuruga, Takayuki
- 67-88 Life-cycle effects of health risk
by Capatina, Elena
- 89-101 Portfolio and welfare consequences of debt market dominance
by Stepanchuk, Serhiy & Tsyrennikov, Viktor
- 102-116 What measure of inflation should a developing country central bank target?
by Anand, Rahul & Prasad, Eswar S. & Zhang, Boyang
- 117-132 Credit conditions and stock return predictability
by Chava, Sudheer & Gallmeyer, Michael & Park, Heungju
2015, Volume 73, Issue C
- 1-19 When does a central bank׳s balance sheet require fiscal support?
by Del Negro, Marco & Sims, Christopher A.
- 26-43 A probability-based stress test of Federal Reserve assets and income
by Christensen, Jens H.E. & Lopez, Jose A. & Rudebusch, Glenn D.
- 48-65 On the stability of money demand
by Lucas, Robert E. & Nicolini, Juan Pablo
- 70-92 Scarcity of safe assets, inflation, and the policy trap
by Andolfatto, David & Williamson, Stephen
- 99-114 Speculative runs on interest rate pegs
by Bassetto, Marco & Phelan, Christopher
- 119-136 Monetary policy, bond returns and debt dynamics
by Berndt, Antje & Yeltekin, Şevin
2015, Volume 72, Issue C
- 1-20 Marriage stability, taxation and aggregate labor supply in the U.S. vs. Europe
by Chakraborty, Indraneel & Holter, Hans A. & Stepanchuk, Serhiy
- 21-41 Wealth shocks, unemployment shocks and consumption in the wake of the Great Recession
by Christelis, Dimitris & Georgarakos, Dimitris & Jappelli, Tullio
- 42-63 How important is variability in consumer credit limits?
by Fulford, Scott L.
- 64-82 On the importance of the participation margin for labor market fluctuations
by Elsby, Michael W.L. & Hobijn, Bart & Şahin, Ayşegül
- 83-96 News about aggregate demand and the business cycle
by Guo, Jang-Ting & Sirbu, Anca-Ioana & Weder, Mark
- 97-113 Macroeconomic dynamics in a model of goods, labor, and credit market frictions
by Petrosky-Nadeau, Nicolas & Wasmer, Etienne
- 114-130 Revisiting wage, earnings, and hours profiles
by Rupert, Peter & Zanella, Giulio
- 131-147 Optimized Taylor rules for disinflation when agents are learning
by Cogley, Timothy & Matthes, Christian & Sbordone, Argia M.
2015, Volume 71, Issue C
- 1-12 Access policy and money market segmentation
by Kraenzlin, Sébastien & Nellen, Thomas
- 13-32 Consumption heterogeneity, employment dynamics and macroeconomic co-movement
by Eusepi, Stefano & Preston, Bruce
- 33-49 Asymmetric information in securitization: An empirical assessment
by Albertazzi, Ugo & Eramo, Ginette & Gambacorta, Leonardo & Salleo, Carmelo
- 50-66 Bank ownership, lending, and local economic performance during the 2008–2009 financial crisis
by Coleman, Nicholas & Feler, Leo
- 67-83 Life-cycle portfolio choice with liquid and illiquid financial assets
by Campanale, Claudio & Fugazza, Carolina & Gomes, Francisco
- 84-98 Evaluating international consumption risk sharing gains: An asset return view
by Lewis, Karen K. & Liu, Edith X.
- 99-118 Optimal unemployment insurance in an equilibrium business-cycle model
by Mitman, Kurt & Rabinovich, Stanislav
- 119-132 Capital flows and the risk-taking channel of monetary policy
by Bruno, Valentina & Shin, Hyun Song
2015, Volume 70, Issue C
- 1-21 The scapegoat theory of exchange rates: the first tests
by Fratzscher, Marcel & Rime, Dagfinn & Sarno, Lucio & Zinna, Gabriele
- 22-38 OccBin: A toolkit for solving dynamic models with occasionally binding constraints easily
by Guerrieri, Luca & Iacoviello, Matteo
- 39-50 Optimal taxation with home production
by Olovsson, Conny
- 51-71 Macroeconomic regimes
by Baele, Lieven & Bekaert, Geert & Cho, Seonghoon & Inghelbrecht, Koen & Moreno, Antonio
- 72-83 Has U.S. monetary policy tracked the efficient interest rate?
by Cúrdia, Vasco & Ferrero, Andrea & Ng, Ging Cee & Tambalotti, Andrea
- 84-99 Managing markets for toxic assets
by House, Christopher L. & Masatlioglu, Yusufcan
- 100-115 Financial stress and economic dynamics: The transmission of crises
by Hubrich, Kirstin & Tetlow, Robert J.
- 116-132 Liquidity, assets and business cycles
by Shi, Shouyong
2015, Volume 69, Issue C
- 1-15 Macroeconomic volatility and external imbalances
by Fogli, Alessandra & Perri, Fabrizio
- 20-38 Microeconomic uncertainty, international trade, and aggregate fluctuations
by Alessandria, George & Choi, Horag & Kaboski, Joseph P. & Midrigan, Virgiliu
- 42-63 Risk and ambiguity in models of business cycles
by Backus, David & Ferriere, Axelle & Zin, Stanley
- 70-89 Growth uncertainty, generalized disappointment aversion and production-based asset pricing
by Liu, Hening & Miao, Jianjun
- 97-113 Four types of ignorance
by Hansen, Lars Peter & Sargent, Thomas J.
- 121-137 Uncertainty, investment, and managerial incentives
by Glover, Brent & Levine, Oliver
2014, Volume 68, Issue S
2014, Volume 68, Issue C
- 1-18 A life-cycle model of unemployment and disability insurance
by Kitao, Sagiri
- 19-36 Loss aversion and the asymmetric transmission of monetary policy
by Santoro, Emiliano & Petrella, Ivan & Pfajfar, Damjan & Gaffeo, Edoardo
- 37-52 Time to produce and emerging market crises
by Schwartzman, Felipe
- 53-67 The cyclicality of the user cost of labor
by Kudlyak, Marianna
- 68-85 Policy risk and the business cycle
by Born, Benjamin & Pfeifer, Johannes
- 86-100 Fixed costs and long-lived investments
by House, Christopher L.
- 101-114 Mussa redux and conditional PPP
by Bergin, Paul R. & Glick, Reuven & Wu, Jyh-Lin
- 115-135 On the individual optimality of economic integration
by Castro, Rui & Koumtingué, Nelnan
2014, Volume 67, Issue C
- 1-15 Bridging DSGE models and the raw data
by Canova, Fabio
- 16-32 Preferences or private assessments on a monetary policy committee?
by Hansen, Stephen & McMahon, Michael & Velasco Rivera, Carlos
- 33-46 Lack of divine coincidence in New Keynesian models
by Alves, Sergio Afonso Lago
- 47-61 Polarized business cycles
by Azzimonti, Marina & Talbert, Matthew
- 62-77 Business cycle implications of mortgage spreads
by Walentin, Karl
- 78-92 Uncertainty shocks and unemployment dynamics in U.S. recessions
by Caggiano, Giovanni & Castelnuovo, Efrem & Groshenny, Nicolas
- 93-108 Inflation dynamics: The role of public debt and policy regimes
by Bhattarai, Saroj & Lee, Jae Won & Park, Woong Yong
- 109-128 A neoclassical interpretation of momentum
by Liu, Laura Xiaolei & Zhang, Lu
2014, Volume 66, Issue C
- 1-12 How Amsterdam got fiat money
by Quinn, Stephen & Roberds, William
- 13-31 Long-run productivity risk: A new hope for production-based asset pricing?
by Massimiliano Croce, Mariano
- 32-46 Innovation and the trade elasticity
by Rubini, Loris
- 47-61 Machines, buildings, and optimal dynamic taxes
by Slavík, Ctirad & Yazici, Hakki
- 62-78 Income inequality and social preferences for redistribution and compensation differentials
by Kerr, William R.
- 79-94 A macroeconomic approach to corporate capital structure
by Katagiri, Mitsuru
- 95-107 Short and long interest rate targets
by Adão, Bernardino & Correia, Isabel & Teles, Pedro
- 108-123 Do people understand monetary policy?
by Carvalho, Carlos & Nechio, Fernanda
- 124-136 Sufficient information in structural VARs
by Forni, Mario & Gambetti, Luca
- 137-154 Dissent in monetary policy decisions
by Riboni, Alessandro & Ruge-Murcia, Francisco
- 155-163 Is it one break or ongoing permanent shocks that explains U.S. real GDP?
by Luo, Sui & Startz, Richard
- 164-177 Local banking panics of the 1920s: Identification and determinants
by Davison, Lee K. & Ramirez, Carlos D.
- 178-192 Multiproduct firms and price-setting: Theory and evidence from U.S. producer prices
by Bhattarai, Saroj & Schoenle, Raphael
- 193-209 The reservation laws in India and the misallocation of production factors
by García-Santana, Manuel & Pijoan-Mas, Josep
- 210-225 Nominal rigidities, asset returns, and monetary policy
by Li, Erica X.N. & Palomino, Francisco
- 226-240 Understanding long-run price dispersion
by Crucini, Mario J. & Yilmazkuday, Hakan
2014, Volume 65, Issue C
- 1-13 On the social usefulness of fractional reserve banking
by Chari, V.V. & Phelan, Christopher
- 17-32 The revolving door and worker flows in banking regulation
by Lucca, David & Seru, Amit & Trebbi, Francesco
- 36-53 Testing macroprudential stress tests: The risk of regulatory risk weights
by Acharya, Viral & Engle, Robert & Pierret, Diane
- 57-75 Predatory trading, Stigma and the Fed׳s Term Auction Facility
by La׳O, Jennifer
- 80-101 Liquidity provision, interest rates, and unemployment
by Rocheteau, Guillaume & Rodriguez-Lopez, Antonio
- 104-119 Floating a “lifeboat”: The Banque de France and the crisis of 1889
by Hautcoeur, Pierre-Cyrille & Riva, Angelo & White, Eugene N.
2014, Volume 64, Issue C
- 1-20 Optimal monetary policy with endogenous entry and product variety
by Bilbiie, Florin O. & Fujiwara, Ippei & Ghironi, Fabio
- 21-37 Social security and the rise in health spending
by Zhao, Kai
- 38-46 Coordination in the use of money
by Araujo, Luis & Guimaraes, Bernardo
- 47-67 Domestic or global imbalances? Rising income risk and the fall in the US current account
by Broer, Tobias
- 68-84 Home production, labor wedges, and international business cycles
by Karabarbounis, Loukas
- 85-98 Monetary policy, doubts and asset prices
by Benigno, Pierpaolo & Paciello, Luigi
- 99-111 Financial integration and international business cycle co-movement
by Davis, J. Scott
- 112-121 Energy price shocks and medium-term business cycles
by Schwark, Florentine
2014, Volume 63, Issue C
- 1-18 Securitization and moral hazard: Evidence from credit score cutoff rules
by Bubb, Ryan & Kaufman, Alex
- 19-36 Student abilities during the expansion of US education
by Hendricks, Lutz & Schoellman, Todd
- 37-50 The rising skill premium and deunionization
by Açıkgöz, Ömer Tuğrul & Kaymak, Barış
- 51-63 Game-theoretic foundations of monetary equilibrium
by Camera, Gabriele & Gioffré, Alessandro
- 64-79 Central bank communication design in a Lucas-Phelps economy
by Myatt, David P. & Wallace, Chris
- 80-94 New evidence on excess sensitivity of household consumption
by Ni, Shawn & Seol, Youn
- 95-106 The contribution of rising school quality to U.S. economic growth
by You, Hye Mi
2014, Volume 62, Issue C
- 1-22 Financial innovation, the discovery of risk, and the U.S. credit crisis
by Boz, Emine & Mendoza, Enrique G.
- 23-40 Changes in bank lending standards and the macroeconomy
by Bassett, William F. & Chosak, Mary Beth & Driscoll, John C. & Zakrajšek, Egon
- 41-58 Cyclical fiscal policy, credit constraints, and industry growth
by Aghion, Philippe & Hémous, David & Kharroubi, Enisse
- 59-75 Monetary policy and the cyclicality of risk
by Gust, Christopher & López-Salido, David
- 76-93 Cyclicality of credit supply: Firm level evidence
by Becker, Bo & Ivashina, Victoria
- 94-107 The case for a financial approach to money demand
by Ragot, Xavier
- 108-122 Adverse selection and moral hazard: Quantitative implications for unemployment insurance
by Fuller, David L.
- 123-133 Match efficiency and firms' hiring standards
by Sedláček, Petr
2014, Volume 61, Issue C
- 2-22 Can structural reforms help Europe?
by Eggertsson, Gauti & Ferrero, Andrea & Raffo, Andrea
- 32-50 Voluntary sovereign debt exchanges
by Hatchondo, Juan Carlos & Martinez, Leonardo & Sosa Padilla, César
- 53-73 Sovereign risk and belief-driven fluctuations in the euro area
by Corsetti, Giancarlo & Kuester, Keith & Meier, André & Müller, Gernot J.
- 78-109 A real options perspective on the future of the Euro
by Alvarez, Fernando & Dixit, Avinash
- 114-142 Sovereign debt markets in turbulent times: Creditor discrimination and crowding-out effects
by Broner, Fernando & Erce, Aitor & Martin, Alberto & Ventura, Jaume
- 148-166 Fiscal discriminations in three wars
by Hall, George J. & Sargent, Thomas J.
2013, Volume 60, Issue 8
- 887-899 Wage rigidity and job creation
by Haefke, Christian & Sonntag, Marcus & van Rens, Thijs
- 900-916 Precautionary money demand in a business-cycle model
by Telyukova, Irina A. & Visschers, Ludo
- 917-935 Housing, mortgage bailout guarantees and the macro economy
by Jeske, Karsten & Krueger, Dirk & Mitman, Kurt
- 936-949 Global liquidity trap
by Fujiwara, Ippei & Nakajima, Tomoyuki & Sudo, Nao & Teranishi, Yuki
- 950-966 Monetary policy matters: Evidence from new shocks data
by Barakchian, S. Mahdi & Crowe, Christopher
- 967-982 Inattentive professional forecasters
by Andrade, Philippe & Le Bihan, Hervé
- 983-995 Intangible investment and Ramsey capital taxation
by Conesa, Juan C. & Domínguez, Begoña
2013, Volume 60, Issue 7
- 753-770 The demand of liquid assets with uncertain lumpy expenditures
by Alvarez, Fernando & Lippi, Francesco
- 771-788 Risk, uncertainty and monetary policy
by Bekaert, Geert & Hoerova, Marie & Lo Duca, Marco
- 789-805 Financial constraints, endogenous markups, and self-fulfilling equilibria
by Benhabib, Jess & Wang, Pengfei
- 806-820 Learning and price volatility in duopoly models of resource depletion
by Ellison, Martin & Scott, Andrew
- 821-834 Lumpy investment and the monetary transmission mechanism
by Reiter, Michael & Sveen, Tommy & Weinke, Lutz
- 835-853 Why don't Lenders renegotiate more home mortgages? Redefaults, self-cures and securitization
by Adelino, Manuel & Gerardi, Kristopher & Willen, Paul S.
- 854-870 The equilibrium effect of fundamentals on house prices and rents
by Sommer, Kamila & Sullivan, Paul & Verbrugge, Randal
- 871-886 Downward wage rigidity and business cycle asymmetries
by Abbritti, Mirko & Fahr, Stephan
2013, Volume 60, Issue 6
- 613-631 Globally correlated nominal fluctuations
by Henriksen, Espen & Kydland, Finn E. & Šustek, Roman
- 632-649 Self-enforcing stochastic monitoring and the separation of claims
by Cole, Harold L.
- 650-666 How important is intra-household risk sharing for savings and labor supply?
by Ortigueira, Salvador & Siassi, Nawid
- 667-682 Structural change in an open economy
by Uy, Timothy & Yi, Kei-Mu & Zhang, Jing
- 683-703 Financial frictions on capital allocation: A transmission mechanism of TFP fluctuations
by Chen, Kaiji & Song, Zheng
- 704-719 ‘Wait-and-See’ business cycles?
by Bachmann, Rüdiger & Bayer, Christian
- 720-736 Durable goods, financial frictions, and business cycles in emerging economies
by Álvarez-Parra, Fernando & Brandao-Marques, Luis & Toledo, Manuel
- 737-751 Long run productivity risk and aggregate investment
by Favilukis, Jack & Lin, Xiaoji
2013, Volume 60, Issue 5
- 493-510 Systemic sovereign credit risk: Lessons from the U.S. and Europe
by Ang, Andrew & Longstaff, Francis A.
- 517-530 Local deficits and local jobs: Can US states stabilize their own economies?
by Carlino, Gerald A. & Inman, Robert P.
- 535-549 The American Recovery and Reinvestment Act: Solely a government jobs program?
by Conley, Timothy G. & Dupor, Bill
- 554-567 The impact of unions on municipal elections and urban fiscal policies
by Sieg, Holger & Wang, Yu
- 571-587 Vertical fiscal imbalances and fiscal performance in advanced economies
by Eyraud, Luc & Lusinyan, Lusine
- 593-608 Tax-subsidized underpricing: The market for Build America Bonds
by Cestau, Dario & Green, Richard C. & Schürhoff, Norman
2013, Volume 60, Issue 4
- 383-390 Incentive-feasible deflation
by Andolfatto, David
- 391-407 An expectations-driven interpretation of the “Great Recession”
by Gunn, Christopher M. & Johri, Alok
- 408-425 Information manipulation and rational investment booms and busts
by Kumar, Praveen & Langberg, Nisan
- 426-438 Liquidity and asset prices: A new monetarist approach
by Li, Ying-Syuan & Li, Yiting
- 439-458 Monetary policy and regional availability of debt financing
by Massa, Massimo & Zhang, Lei
- 459-473 Factor-eliminating technical change
by Peretto, Pietro F. & Seater, John J.
- 474-491 A sentiment-based explanation of the forward premium puzzle
by Yu, Jianfeng
2013, Volume 60, Issue 3
- 311-324 Capital regulation and monetary policy with fragile banks
by Angeloni, Ignazio & Faia, Ester
- 325-339 Government investment and the stock market
by Belo, Frederico & Yu, Jianfeng
- 340-350 Identification-robust analysis of DSGE and structural macroeconomic models
by Dufour, Jean-Marie & Khalaf, Lynda & Kichian, Maral
- 351-366 The investment manifesto
by Lin, Xiaoji & Zhang, Lu
- 367-382 Modernization of agriculture and long-term growth
by Yang, Dennis Tao & Zhu, Xiaodong
2013, Volume 60, Issue 2
- 139-151 Fraud deterrence in dynamic Mirrleesian economies
by Armenter, Roc & Mertens, Thomas M.
- 152-165 Online and official price indexes: Measuring Argentina's inflation
by Cavallo, Alberto
- 166-183 The great increase in relative wage volatility in the United States
by Champagne, Julien & Kurmann, André
- 184-202 What explains schooling differences across countries?
by Córdoba, Juan Carlos & Ripoll, Marla
- 203-220 Macroeconomic determinants of stock volatility and volatility premiums
by Corradi, Valentina & Distaso, Walter & Mele, Antonio
- 221-238 Housing and debt over the life cycle and over the business cycle
by Iacoviello, Matteo & Pavan, Marina
- 239-254 How big (small?) are fiscal multipliers?
by Ilzetzki, Ethan & Mendoza, Enrique G. & Végh, Carlos A.
- 255-274 Is newer better? Penn World Table Revisions and their impact on growth estimates
by Johnson, Simon & Larson, William & Papageorgiou, Chris & Subramanian, Arvind
- 275-294 Liquidity and asset-market dynamics
by Rocheteau, Guillaume & Wright, Randall
- 295-309 Inflation ambiguity and the term structure of U.S. Government bonds
by Ulrich, Maxim
2013, Volume 60, Issue 1
- 1-20 Trade wedges, inventories, and international business cycles
by Alessandria, George & Kaboski, Joseph & Midrigan, Virgiliu
- 25-38 Exchange rate pass-through and credit constraints
by Strasser, Georg
- 42-62 Capital mobility and international sharing of cyclical risk
by Bengui, Julien & Mendoza, Enrique G. & Quadrini, Vincenzo
- 66-85 Global implications of national unconventional policies
by Dedola, Luca & Karadi, Peter & Lombardo, Giovanni
- 92-108 Capital flows under moral hazard
by Tsyrennikov, Viktor
- 113-133 Gross capital flows: Dynamics and crises
by Broner, Fernando & Didier, Tatiana & Erce, Aitor & Schmukler, Sergio L.
2012, Volume 59, Issue S
- 1-16 Dealing with consumer default: Bankruptcy vs garnishment
by Chatterjee, Satyajit & Gordon, Grey
- 17-34 Financial crises, bank risk exposure and government financial policy
by Gertler, Mark & Kiyotaki, Nobuhiro & Queralto, Albert
- 35-49 Business cycle variation in the risk-return trade-off
by Lustig, Hanno & Verdelhan, Adrien
- 50-64 Targeted transfers and the fiscal response to the great recession
by Oh, Hyunseung & Reis, Ricardo
- 65-77 Wage rigidities and jobless recoveries
by Shimer, Robert
2012, Volume 59, Issue 8